Subjective Measures of Risk Aversion and Portfolio Choice
Year of publication: |
2002-02
|
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Authors: | Kapteyn, Arie ; Teppa, Federica |
Institutions: | RAND |
Subject: | risk aversion | portfolio choice | subjective measures | econometric models |
Extent: | application/pdf |
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Series: | |
Type of publication: | Book / Working Paper |
Notes: | Number 02-03 40 pages |
Classification: | C5 - Econometric Modeling ; C9 - Design of Experiments ; D12 - Consumer Economics: Empirical Analysis ; G11 - Portfolio Choice |
Source: |
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